Our lawyers include attorneys who have held senior positions with the SEC’s Divisions of Enforcement and Corporation Finance. During their tenures with the SEC, our attorneys were involved in the rulemaking that occurred in the wake of the Sarbanes-Oxley Act of 2002 and worked on groundbreaking enforcement actions, including market manipulation cases concerning public corporations’ stocks, major financial reporting and disclosure cases, and cases against auditors, broker-dealers, and investment advisers. We have an in-house forensic accounting services group, led by a Certified Public Accountant, Certified Fraud Examiner, and former Big Four audit partner, which assists in identifying, interpreting, and clarifying financial and accounting matters.

Our securities lawyers represent companies seeking to go public and public companies. We serve as securities counsel or primary outside counsel for over 100 public companies. Our clients range from small- and mid-cap companies to Fortune 500 companies.

Major player in the securities and commercial litigation spheres with the capacity to take on national and international cases. Adept at handling high-profile disputes for clients in a range of industries, including health care, financial services and pharmaceuticals. Retains strength in securities class action work as well as investigations and derivative actions. – Chambers USA 2015

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